·ETF Intelligence
ETF · Exchange Traded Fund
NOBLNOBL

NOBL

ProShares S&P 500 Dividend Aristocrats ETF
$55.63
↑0.30(0.54%)
Total Assets
$11.1B
Expense Ratio
—
Holdings
Top 20 shown
What is this ETF?

ProShares S&P 500 Dividend Aristocrats ETF. Only holds companies that have increased dividends for 25+ consecutive years. The gold standard of dividend consistency.

What themes are you invested in?

Through NOBL, you have exposure to these market themes.

Consumer Staples
KO 1.8%PEP 1.8%PG 1.7%
5.3%
of ETF
Industrials
ITW 1.5%EMR 1.5%FAST 1.4%
4.4%
of ETF
Pharmaceuticals & Biotech
ABBV 1.9%JNJ 1.7%
3.6%
of ETF
Food & Beverage
KO 1.8%PEP 1.8%
3.6%
of ETF
Oil & Gas
XOM 1.4%CVX 1.4%
2.8%
of ETF
Software & SaaS
ADP 1.6%
1.6%
of ETF
Banking & Finance
SPGI 1.6%
1.6%
of ETF
Insurance
AFL 1.5%
1.5%
of ETF
Robotics & Automation
EMR 1.5%
1.5%
of ETF
Companies we cover in this ETF

Click any to read the full plain-English research.

SHWSHW
SHW
2.0% of ETF
ABBVABBV
ABBV
1.9% of ETF
GWWGWW
GWW
1.9% of ETF
KOKO
KO
1.8% of ETF
PEPPEP
PEP
1.8% of ETF
JNJJNJ
JNJ
1.7% of ETF
MMMMMM
MMM
1.7% of ETF
PGPG
PG
1.7% of ETF
CLCL
CL
1.7% of ETF
SPGISPGI
SPGI
1.6% of ETF
ADPADP
ADP
1.6% of ETF
LOWLOW
LOW
1.5% of ETF
ITWITW
ITW
1.5% of ETF
AFLAFL
AFL
1.5% of ETF
EMREMR
EMR
1.5% of ETF
FASTFAST
FAST
1.4% of ETF
CVXCVX
CVX
1.4% of ETF
XOMXOM
XOM
1.4% of ETF
KMBKMB
KMB
1.3% of ETF
Top 20 holdings
1
SHWSHW
SHWSherwin-Williams
2.0%
2
ABBVABBV
ABBVAbbVie
1.9%
3
GWWGWW
GWWW.W. Grainger
1.9%
4
KOKO
KOCoca-Cola
1.8%
5
PEPPEP
PEPPepsiCo
1.8%
6
JNJJNJ
JNJJohnson and Johnson
1.7%
7
MMMMMM
MMM3M
1.7%
8
PGPG
PGProcter and Gamble
1.7%
9
CLCL
CLColgate-Palmolive
1.7%
10
SPGISPGI
SPGIS&P Global
1.6%
11
ADPADP
ADPADP
1.6%
12
TGTTGT
TGTTarget
1.6%
13
LOWLOW
LOWLowes
1.5%
14
ITWITW
ITWIllinois Tool Works
1.5%
15
AFLAFL
AFLAflac
1.5%
16
EMREMR
EMREmerson
1.5%
17
FASTFAST
FASTFastenal
1.4%
18
CVXCVX
CVXChevron
1.4%
19
XOMXOM
XOMExxonMobil
1.4%
20
KMBKMB
KMBKimberly-Clark
1.3%
Sector breakdown
Consumer Defensive
24%
Industrials
20%
Financial Services
13%
Healthcare
10%
Basic Materials
10%
Utilities
6%
Consumer Cyclical
5%
Technology
5%
Realestate
5%
Energy
3%